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Sterlite Power Transmission Ltd - Compliances-Reg. 60 (2) - Record Date - interest /dividend / redemption /repayment

| Updated on June 06, 2019

Pursuant to Regulation 60 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 it is here by intimated that the Company has fixed Wednesday June 26, 2019 as the record date for the payment of interest due on Sunday June 30, 2019 (as per the terms mentioned in Information Memorandum) on Non- Convertible Debentures (NCDs), having face value of Rs. 10,00,000/- each, allotted by the Company in its Board meeting held on 29.03.2019. The interest due on Sunday i.e. June 30, 2019, will be due for payment on succeeding business day i.e. July 1, 2019, as per the terms mentioned in the term sheet.

Pdf Link: Sterlite Power Transmission Ltd - Compliances-Reg. 60 (2) - Record Date - interest /dividend / redemption /repayment

Source : BSE - www.bseindia.com

Published on June 06, 2019

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